Profile
Book Keeping.
Making Reconciliation of balances of Debtors and Creditors and follow up the outstanding and payments with them.
Preparation of Bank Reconciliation statement on monthly basis.
Preparation of Salaries/Professional Fees of employees at the end of each month.
Preparation of VAT Return on monthly basis at the end of every month as well as on Quarterly basis at the end of every quarter.
Compilation of TDS dues at the end of every month and filling of its return at the end of each quarter.
Compilation of E.S.I. dues at the end of every month.
Compilation of E.P.F. dues at the end of every month.
Deals with Vendors regarding Purchases & Payments (Construction as well as medicine)
Verifying records related to finance of various Sub Departments in the Unit.
Taking part in audit in different sections/departments i.e. Pharmacy, store etc.
Project Costing, Material Costing and Labor Costing Stages wise for Construction work
Physical checking of material of construction.
Follow up of construction work on daily basis.
Preparing Balance Sheets, Profit and Loss Account on monthly basis
Preparing Cash flow and fund flow on weekly basis.
Preparing of Income Tax Returns of the Company